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. Author manuscript; available in PMC: 2024 Mar 29.
Published in final edited form as: Stat. 2023 Mar 29;12(1):e568. doi: 10.1002/sta4.568

TABLE 3.

Estimates of μ in different settings of the simulated data study in Section 3. The table shows the average of the posterior mean of μ, averaged over 10 data sets, in different μ and K1. The standard errors are in brackets. The first column is the true μ. The subset model is the model that used only the correct set of relevant outcomes.

True μ K 1 SSVS No selection Subset model
−0.1 5 −0.025
(0.066)
−0.120
(0.145)
−0.209
(0.143)
10 0.046
(0.069)
0.034
(0.157)
−0.015
(0.169)
15 −0.026
(0.091)
−0.059
(0.188)
−0.077
(0.213)
−3 5 −3.281
(0.040)
−0.908
(0.150)
−3.365
(0.144)
10 −2.949
(0.098)
−1.393
(0.152)
−2.875
(0.175)
15 −2.678
(0.115)
−2.002
(0.210)
−2.688
(0.221)